Rok finansowy |
2006 |
2007 |
2008 |
2009 |
2010 |
2011 |
2012 |
2013 |
2014 |
2015 |
2016 |
2017 |
2018 |
2019 |
2020 |
2021 |
2022 |
2023 |
Aktywa (mln) |
9 974.09 |
10 705.446 |
12 871.517 |
30 163.377 |
32 051.192 |
34 288.162 |
34 226.169 |
36 816.775 |
44 925.514 |
51 314.386 |
61 319.8 |
83 590.309 |
97 837.524 |
113 574.009 |
124 361.751 |
153 051.277 |
138 159.791 |
119 618.04 |
Aktywa trwałe (mln) |
7 065.493 |
7 910.058 |
8 056.365 |
21 285.711 |
21 354.377 |
20 082.758 |
21 754.401 |
22 825.186 |
23 503.703 |
29 825.405 |
33 612.1 |
48 047.469 |
58 206.616 |
72 149.917 |
64 412.344 |
66 188.213 |
51 113.825 |
67 852.617 |
Rzeczowe aktywa trwałe netto |
1 519.809 |
1 776.874 |
1 877.088 |
15 786.14 |
15 762.89 |
7 426.064 |
8 929.788 |
9 621.449 |
8 959.696 |
10 420.078 |
12 799.3 |
15 594.516 |
18 137.236 |
19 166.176 |
19 774.747 |
23 543.733 |
26 817.478 |
28 906.915 |
Wartość firmy |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
9 968.867 |
10 032.601 |
10 103.021 |
10 180.401 |
10 249.912 |
10 617.2 |
10 368.558 |
10 408.831 |
10 220.57 |
10 153.583 |
10 190.683 |
10 076.183 |
10 092.822 |
Wartości niematerialne i prawne |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
90.217 |
144.555 |
163.514 |
133.019 |
140.363 |
126.5 |
93.637 |
91.715 |
97.411 |
107.071 |
177.542 |
161.159 |
126.159 |
Wartość firmy i wartości niematerialne i prawne |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
10 059.084 |
10 177.156 |
10 266.535 |
10 313.42 |
10 390.275 |
10 743.7 |
10 462.195 |
10 500.546 |
10 317.981 |
10 260.654 |
10 368.225 |
10 237.342 |
10 218.981 |
Należności netto |
1 227.006 |
1 251.189 |
1 639.411 |
3 522.099 |
4 121.763 |
3 449.974 |
3 904.954 |
4 415.686 |
7 186.388 |
8 864.288 |
15 625.6 |
16 507.897 |
20 503.086 |
19 870.691 |
27 171.233 |
57 102.763 |
9 768.604 |
6 739.798 |
Inwestycje długoterminowe |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
(1 906.584) |
(322.482) |
(1 197.566) |
(3 706.778) |
(693.012) |
5 357.5 |
9 897.471 |
24 544.439 |
39 154.808 |
32 221.504 |
29 692.244 |
29 507.492 |
26 881.454 |
Aktywa obrotowe |
2 908.597 |
2 795.388 |
4 815.152 |
8 877.666 |
10 696.815 |
14 205.404 |
12 471.768 |
13 991.589 |
21 421.811 |
21 488.981 |
27 707.7 |
35 542.84 |
39 630.908 |
41 424.092 |
59 949.407 |
86 863.064 |
87 045.966 |
51 765.423 |
Środki pieniężne i Inwestycje |
1 084.989 |
756.733 |
2 214.162 |
1 153.141 |
1 853.21 |
5 616.564 |
3 676.668 |
4 295.476 |
8 976.233 |
6 960.93 |
4 720.3 |
11 428.671 |
9 728.927 |
13 192.619 |
20 888.759 |
14 875.026 |
62 568.76 |
25 710.373 |
Zapasy |
594.026 |
784.753 |
848.425 |
4 042.199 |
4 595.834 |
5 097.281 |
4 773.623 |
5 149.412 |
5 158.325 |
5 464.463 |
7 361.9 |
7 290.815 |
8 824.529 |
8 360.781 |
11 844.031 |
14 354.994 |
12 677.199 |
12 443.707 |
Inwestycje krótkoterminowe |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
3 463.432 |
1 825.321 |
2 810.819 |
5 877.038 |
5 662.436 |
3 159.2 |
9 478.471 |
8 337.945 |
11 404.958 |
14 842.465 |
8 890.453 |
57 148.851 |
16 965.099999 |
Środki pieniężne i inne aktywa pieniężne |
1 084.989 |
756.733 |
2 214.162 |
1 153.141 |
1 853.21 |
2 153.132 |
1 851.347 |
1 484.657 |
3 099.195 |
1 298.494 |
1 561.1 |
1 950.2 |
1 390.982 |
1 787.661 |
6 046.294 |
5 984.573 |
5 419.909 |
8 745.273 |
Należności krótkoterminowe |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
4 227.505 |
5 917.804 |
7 398.866 |
7 904.862 |
7 899.1 |
10 239.749 |
11 723.112 |
11 503.985 |
13 495.992 |
13 219.228 |
14 743.506 |
16 571.199 |
Dług krótkoterminowy |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
5 451.801 |
2 985.532 |
3 769.471 |
4 866.303 |
4 393.7 |
4 133.561 |
4 844.106 |
12 742.824 |
15 251.022 |
23 066.211 |
22 542.69 |
12 266.259 |
Zobowiązania krótkoterminowe |
759.856 |
845.683 |
712.507 |
5 899.682 |
6 574.245 |
13 022.039 |
13 092.854 |
13 728.97 |
16 551.452 |
18 814.945 |
17 436.8 |
20 156.866 |
23 204.482 |
31 588.769 |
38 888.923 |
48 053.271 |
54 270.274 |
42 622.931 |
Rozliczenia międzyokresowe |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
2 372.82 |
4 762.134 |
5 242.015 |
5 919.58 |
5 274.0 |
0.0 |
6 103.788 |
6 646.531 |
9 263.976 |
11 767.828 |
14 596.107 |
994.586 |
Zobowiązania długoterminowe |
2 991.956 |
3 374.774 |
4 192.467 |
16 294.145 |
16 476.954 |
7 671.229 |
6 219.373 |
5 280.921 |
5 329.81 |
3 395.841 |
6 268.9 |
6 765.174 |
5 561.397 |
8 925.736 |
12 762.264 |
37 068.655 |
25 747.027 |
10 482.006 |
Rezerwy z tytułu odroczonego podatku |
51.099 |
66.028 |
85.017 |
51.057 |
89.435 |
114.109 |
159.158 |
125.245 |
0.0 |
75.783 |
349.2 |
265.88 |
98.284 |
585.941 |
890.131 |
743.207 |
954.141 |
29.412 |
Zobowiązania z tytułu leasingu |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
1.4 |
4.5 |
9.7 |
2.447 |
6.2 |
10.654 |
9.249 |
135.816 |
225.568 |
201.67 |
188.654 |
215.633 |
Zobowiązania ogółem |
3 751.812 |
4 220.457 |
4 904.974 |
22 193.827 |
23 051.199 |
20 693.268 |
19 312.227 |
19 009.891 |
21 881.262 |
22 210.786 |
23 705.7 |
26 922.04 |
28 765.879 |
40 514.505 |
51 651.187 |
85 121.926 |
80 017.301 |
53 104.937 |
Kapitał własny |
6 222.278 |
6 484.989 |
7 966.543 |
7 969.55 |
8 999.993 |
10 912.552 |
11 516.718 |
12 940.669 |
15 662.432 |
18 853.086 |
23 340.5 |
56 668.269 |
69 071.645 |
73 059.504 |
72 710.564 |
67 929.351 |
58 142.49 |
66 513.103 |
Udziały mniejszościowe |
39.163 |
81.693 |
105.21 |
1 866.723 |
2 115.207 |
2 682.342 |
3 397.224 |
4 866.215 |
7 381.82 |
10 250.514 |
14 273.6 |
17 031.828 |
21 434.108 |
22 116.844 |
17 946.853 |
12 963.653 |
17 806.775 |
19 751.787 |
Pasywa |
9 974.09 |
10 705.446 |
12 871.517 |
30 163.377 |
32 051.192 |
34 288.162 |
34 226.169 |
36 816.775 |
44 925.514 |
51 314.386 |
61 319.8 |
83 590.309 |
97 837.524 |
113 574.009 |
124 361.751 |
153 051.277 |
138 159.791 |
119 618.04 |
Inwestycje |
5 544.814 |
6 117.375 |
5 898.413 |
5 412.618 |
5 591.487 |
1 556.848 |
1 502.839 |
1 613.253 |
2 170.26 |
4 969.424 |
8 516.7 |
19 375.942 |
28 010.22 |
39 154.808 |
32 210.504 |
29 692.244 |
10 600.187 |
43 846.554 |
Dług (mln) |
2 901.694 |
3 227.053 |
4 002.24 |
14 376.365 |
14 272.311 |
5 919.618 |
9 667.882 |
7 869.331 |
8 831.895 |
7 962.263 |
10 268.0 |
10 235.351 |
9 564.654 |
20 460.297 |
26 699.652 |
58 803.638 |
65 414.682 |
21 613.212 |
Środki pieniężne i inne aktywa pieniężne |
1 084.989 |
756.733 |
2 214.162 |
1 153.141 |
1 853.21 |
2 153.132 |
1 851.347 |
1 484.657 |
3 099.195 |
1 298.494 |
1 561.1 |
1 950.2 |
1 390.982 |
1 787.661 |
6 046.294 |
5 984.573 |
5 419.909 |
8 745.273 |
Dług netto |
1 816.705 |
2 470.32 |
1 788.078 |
13 223.224 |
12 419.101 |
3 766.486 |
7 816.535 |
6 384.674 |
5 732.7 |
6 663.769 |
8 706.9 |
8 285.151 |
8 173.672 |
18 672.636 |
20 653.358 |
52 819.065 |
59 994.773 |
12 867.939 |
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